In The Further Research Conducted At Detroit Edison, Specifically With The Eight Accounting Departments, There Was No Reported Difference Among The Groups That Had Taken Action Compared To The Groups That Had Taken No Action. True False Question 2 (1 Point) Quality Circles Do Not Involve Employees In Improving The Work Environment And The Quality Of The

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Answer 1

Based on the information provided, it is not clear what the main question is. However, I can provide an answer based on the terms you mentioned. The research conducted at Detroit Edison showed no reported difference among the groups that took action compared to those that took no action.

The research specifically focused on the eight accounting departments at Detroit Edison. The study aimed to determine if there was any difference between the groups that took action and the groups that took no action. The findings indicated that there was no significant difference between these groups. In the research conducted at Detroit Edison, specifically with the eight accounting departments, the aim was to assess if there was any difference among the groups that had taken action compared to the groups that had taken no action. The study examined whether the actions taken by employees had any impact on the outcomes or performance of the accounting departments.

While the research did not provide a detailed explanation for why there was no difference observed, it is possible that the actions taken by the employees were not effective or not implemented correctly. It is also important to note that the research was conducted specifically within the context of the eight accounting departments at Detroit Edison, and the findings may not necessarily apply to other departments or organizations. Overall, based on the information provided, the statement that there was no reported difference among the groups that had taken action compared to the groups that had taken no action is true.

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Related Questions

Consider an economy with a real money demand that is dependent upon income (Y)(Y) and the nominal interest rate (i)

(MP)^d=(0.2Y/i)

a) Use this real money demand equation and the quantity equation (MV=PY)(MV=PY) to derive an expression for monetary velocity.

b) It can be verified that the real money demand equation given above is increasing in income and decreasing in the nominal interest rate.

∂(MP)d∂Y=0.2i>0∂(MP)d∂Y=0.2i>0

∂(MP)d∂i=−0.2Yi2<0

Describe what these expressions mean in one sentence each.

c) Using the expression for velocity in part (a), verify that monetary velocity is increasing in the nominal interest rate.

d) Explain why it is consistent for real money demand to be decreasing in the nominal interest rate while monetary velocity is increasing. Hint: it is assumed that output / income remains constant.

e) Consider the real money demand equation above where we substitute the nominal interest rate with its components: the real interest rate and the expected inflation rate.

i=r+E(π)i=r+E(π)

(MP)d=0.2Yr+E(π)

It can be shown that real money demand is decreasing in the expected inflation rate.

∂(MP)d∂E(π)=−0.2Y(r+E(π))2<0

Briefly explain why this makes sense. In other words, why would an increase in the expected inflation rate result in people decreasing their demand for real money balances?

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The monetary velocity equation, V = 5P/(MP)^d, can be derived from MV = PY using real money demand and quantity equations.

a) To derive an expression for monetary velocity, we can use the quantity equation MV = PY, where M is the money supply, V is the velocity of money, P is the price level, and Y is the real GDP. Rearranging the equation, we get V = PY/M. Substituting the real money demand equation (MP)^d = 0.2Y/i, we can express M as 0.2Y/(MP)^d. Plugging this into the velocity equation, we get V = PY/(0.2Y/(MP)^d), which simplifies to V = 5P/(MP)^d.
b) The expression ∂(MP)^d/∂Y = 0.2i > 0 means that real money demand increases as income (Y) increases, while the expression ∂(MP)^d/∂i = -0.2Y/i^2 < 0 means that real money demand decreases as the nominal interest rate (i) increases.
c) Using the expression for velocity derived in part (a), V = 5P/(MP)^d, we can see that as the nominal interest rate (i) increases, the denominator (MP)^d decreases, resulting in an increase in monetary velocity (V).
d) Real money demand can decrease as the nominal interest rate increases because higher interest rates discourage people from holding money. However, monetary velocity can increase because higher interest rates may encourage more frequent transactions, thus increasing the speed at which money circulates in the economy.
e) The expression ∂(MP)^d/∂E(π) = -0.2Y(r + E(π))^2 < 0 means that real money demand decreases as the expected inflation rate (E(π)) increases. This makes sense because higher expected inflation reduces the purchasing power of money, leading people to decrease their demand for real money balances.

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Assume that a consumer has a... Assume that a consumer has a given budget or income of $10 and that she can buy only two goods, apples or bananas. The price of an apple is $1.00 and the price of a banana is $0.50. For this consumer, the opportunity cost of buying one more apple is Multiple Choice 1 banana. 2 bananas. 0.5 of a banana. 0.1 of a banana.

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The option is A - 1 banana. Opportunity cost is the value of the next best alternative forgone. In simple words, it is the price of the best alternative foregone. Opportunity cost is usually used in economics to evaluate whether a particular action is worth taking.

The consumer has a budget or income of $10 and can only purchase two goods, apples or bananas. The price of an apple is $1.00, and the price of a banana is $0.50.To find the opportunity cost of buying one more apple, we need to evaluate the price of the next best alternative forgone, which is the banana.

Since the price of one banana is $0.50, the consumer can buy 20 bananas for $10. With the same budget of $10, she can purchase ten apples since the price of one apple is $1.00. Therefore, the opportunity cost of buying one more apple is equal to the price of one banana, which is $0.50.

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Your team found a similar project with Q (a) and managed to develop estimated condition for all the factors as in Table Q5(b). By considering the O-ML-P for annual income and annual maintenance and operating cost, develop a table and determine the FW values for each O-ML-P configuration between annual income and annual maintenance and operating cost. The MARR is 6% per year. (9 marks)

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MARR, and project duration while performing the calculations.                                                                 MARR, and project duration while performing the calculations.                                 To develop a table and determine the FW values for each O-ML-P configuration between annual income and annual maintenance and operating cost, you can follow these steps:

List all the O-ML-P configurations for annual income and annual maintenance and operating cost. These configurations will form the rows and columns of the table.
Calculate the FW (factor worth) for each configuration using the following formula:
 FW = (Annual Income - Annual Maintenance and Operating Cost) / (1 + MARR)^N
  In this formula, MARR refers to the minimum attractive rate of return, and N represents the project duration.
Use the given MARR value of 6% per year and the estimated conditions from Table Q5(b) to calculate the FW values for each configuration.
Fill in the table with the calculated FW values for each O-ML-P configuration.
Once you have filled in all the FW values, the table will show the FW values for each configuration, indicating the relative worth of each configuration based on annual income and annual maintenance and operating cost.
Remember to consider the given conditions, MARR, and project duration while performing the calculations.

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In logistics, processing deals with which of the following? Information flow and visibility of inventory Where products are stored The movement of goods Manufacturing processes Third-party logistics providers might perform which of the following services? Repairs Final assembly Transportation All of the above Inco terms are a. Used for domestic shipping b. Used for international shipping. c. Are extremely complex d. Both b and c The more expensive the mode of transportation The more controversial it is and the more reliable it is The faster it is and the more controversial it is The more pollution it generates and the faster it is The more reliable it is and the nhore pollution it generates Intermodal transportation: Grew rapidly with the invention of containerization Has to be between rail and truck . Is tough to deal with because containers are not standardized Is a good idea that is not executed well Which of the following are NOT costs associated with having inventory in a warehouse? You acquire holding costs You tie up capital You experience transportation costs You experience product obsolect ence and damage, and loss Cross-docking: Is also known as a flow-through warehouse Moves goods in and assorts shipments and sends them back out with no (or very little) storage Was perfected by Walmart All of the above Which of the following is true about custom brokers? a. They usually own the ships used to transport goods b. They are often referred to as the import connection c. They know all the relevant rulps and regulations to facilitate trade with a country d. Both b and c One consideration improving customer services levels is that Service is not an important way to compete It costs money There is no trade-off-customer service needs to be perfect It increases quality issues Logistics can be an important source of competitive advantage

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In logistics, processing deals with information flow and visibility of inventory, where products are stored, the movement of goods, and manufacturing processes.

Third-party logistics providers might perform services such as repairs, final assembly, and transportation.

Inco terms are used for international shipping and can be complex.

The more expensive the mode of transportation, the more reliable it is and the more pollution it generates.

Intermodal transportation grew rapidly with the invention of containerization and involves the combination of rail and truck transport.

Costs associated with having inventory in a warehouse include holding costs, tying up capital, and product obsolescence, damage, and loss.

Transportation costs are not associated with having inventory in a warehouse.

Cross-docking is also known as a flow-through warehouse, where goods are moved in, assorted, and sent back out with little to no storage. It was perfected by Walmart.

Custom brokers are often referred to as the import connection and have knowledge of relevant rules and regulations to facilitate trade with a country.

Improving customer service levels is a consideration in logistics as it can be an important source of competitive advantage, although it does come with costs.

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Suppose you deposit $2,626.00 into an account today. In 15.00 years the account is worth $3,593.00. The account earned \% per year. Answer format: Percentage Round to: 2 decimal places (Example: 9.24\%, \% sign required. Will accept decimal format rounded to 4 decimal places (ex: 0.0924))

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Compound interest refers to the interest that is calculated not only on the initial principal amount but also on the accumulated interest from previous periods.

In other words, it is interest earned on both the original investment (principal) and the interest that has been previously earned.To find the annual interest rate, we can use the formula for compound interest:A = P(1 + r)^t

In this case, the initial deposit is $2,626.00, the final amount after 15 years is $3,593.00, and the time period is 15 years.

We can rearrange the formula to solve for the annual interest rate (r):

r = (A/P)^(1/t) - 1

Substituting the given values:

r = ($3,593.00/$2,626.00)^(1/15) - 1

Calculating this using a calculator or spreadsheet will give you the annual interest rate. Rounded to 4 decimal places, the annual interest rate is approximately 0.0321, which is equivalent to 3.21%.

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Which among the following is an example of real property?
a.
Currency note
b.
Land
c.
Diamonds
d.
Car

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Among the options given, the example of real property is land (option b). Real property refers to immovable property, typically consisting of land and any permanent structures built on it.

Land is considered real property because it is a physical, tangible asset that cannot be moved. It includes not only the surface of the land but also anything beneath it, such as minerals or water rights. In contrast, currency notes (option a) are considered personal property as they are movable and represent a claim on a certain amount of currency.

Diamonds (option c) are also personal property because they are movable and can be bought, sold, or transferred. Lastly, a car (option d) is classified as personal property because it is movable and can be bought, sold, or transferred. In conclusion, land is an example of real property, while the other options are considered personal property.

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let’s say you bought a 98 strike put and the stock is currently trading at $100. the current price of the option is $2.20. how much of the price is intrinsic value?

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The intrinsic value of the put option is $2, while the extrinsic value is $0.20.

To determine the intrinsic value of a put option, you need to calculate the difference between the strike price and the current stock price. If the stock price is higher than the strike price, the put option has intrinsic value.

In your example, you bought a 98 strike put, and the stock is currently trading at $100. To calculate the intrinsic value, subtract the strike price from the current stock price:

Intrinsic value = Current stock price - Strike price

               = $100 - $98

               = $2

Therefore, the intrinsic value of the put option is $2. Since the current price of the option is given as $2.20, the remaining value of $0.20 would be the time value or extrinsic value of the option.

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Suppose you buy 100 shares of Kohls stock at a price of $30.55 per share. You use some of your own money and borrow using a margin account for as much as you can. Your initial margin is 50%. You borrow at a rate of 9%. You sell your Kohl's stock 1 year later for $33.50. There were no dividends and no commissions. What are your capital gains from selling the stock?

A. $295.00 B. $310.24 C. $325.77 D. $327.00

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The capital gains from selling the stock are $295. Option A ($295.00) is the correct answer.

To calculate the capital gains from selling the stock, we need to consider the initial investment, the borrowed amount, and the selling price.

Initial investment:

Number of shares = 100

Price per share = $30.55

Total initial investment = Number of shares * Price per share = 100 * $30.55 = $3,055

Borrowed amount:

Initial margin = 50% of the total investment = 50% * $3,055 = $1,527.50

Since the borrowed amount is 50% of the total investment, the remaining 50% is the portion invested with your own money.

Own investment:

Own investment = Total investment - Borrowed amount = $3,055 - $1,527.50 = $1,527.50

After 1 year, you sell the stock for $33.50 per share.

Selling price:

Number of shares = 100

Selling price per share = $33.50

Total selling price = Number of shares * Selling price per share = 100 * $33.50 = $3,350

To calculate the capital gains, we need to subtract the initial investment (including the borrowed amount) from the selling price:

Capital gains = Total selling price - Total investment

Capital gains = $3,350 - $3,055

Capital gains = $295

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Investment Banking, how is it different than Traditional banking or retail banking. Why they are not merged?

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One reason why investment banking and traditional banking are not merged is that they serve different purposes and have distinct business models.

Investment banking is more focused on capital markets activities and providing specialized financial services, while traditional banking is centered around retail services and consumer banking.

Investment banking is a type of banking that focuses on helping companies and governments raise capital through the issuance of securities, such as stocks and bonds. It also involves providing advisory services for mergers and acquisitions, as well as trading and managing financial assets.

On the other hand, traditional banking, also known as retail banking, primarily serves individuals and small businesses by providing services such as savings and checking accounts, loans, and mortgages.



The main difference between investment banking and traditional banking lies in the types of clients they serve and the services they offer. Investment banking focuses on large corporations and governments, while traditional banking caters to individual customers and small businesses.

Furthermore, investment banking involves higher risks and volatility due to its exposure to capital markets and the complexities of financial transactions. Traditional banking, on the other hand, is more stable and relies on deposits and lending to generate revenue.

Merging investment banking and traditional banking would require significant integration challenges, including regulatory and operational issues. Additionally, the combination of different business models could lead to conflicts of interest and compromise the core functions of each sector.

Overall, investment banking and traditional banking are distinct sectors within the financial industry, each serving a specific client base and offering unique services.

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Mr. James purchased a vacation house in Los Angeles on July 1, 2017. The purchase price was $1,000,000, and Mr. James made capital additions to the home that cost$10,000. As of January 1, 2022, the house was worth $1,250,000. Mr. James was not entitled to depreciate the house as it was a personal-use asset. Mr. James sold the house on January 31,2022 for $1,400,000, and Mr. James paid $100,000 in expenses in order to effectuate the sale. For tax purposes, how much gross income (gain) does Mr. James recognize in 2022? What if Mr. James sold the house for for $800,000 in 2022 and paid no selling expenses? How much loss does Mr. James recognize in 2022?

Answers

Mr. James recognize $290,000 gross income (gain) in

Mr. James recognize $210,000 loss in 2022.

Given Information,

Purchase price of the house = $1,000,000

Capital Additions = $10,000

As of January 1, 2022, the house worth = $1,250,000

House sold for = $1,400,000

Expenses incurred = $100,000

Let's calculate the gross income (gain) Mr. James recognize in 2022.

Taxable Gain = Sale price of the house – (Purchase price + Capital Additions + Selling expenses)

Taxable Gain = $1,400,000 – ($1,000,000 + $10,000 + $100,000)

Taxable Gain = $290,000

Therefore, Mr. James recognize $290,000 gross income (gain) in 2022.

What if Mr. James sold the house for $800,000 in 2022 and paid no selling expenses?

Let's calculate the loss that Mr. James recognize in 2022.

Taxable Loss = Purchase price of the house + Capital Additions – Sale price of the house

Taxable Loss = $1,000,000 + $10,000 – $800,000

Taxable Loss = $210,000

Therefore, Mr. James recognize $210,000 loss in 2022.

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s the world's fourth largest confectionery company, the family-based Ferrero Group (Ferrero) has operations in 53 countries with 22 manufacturing plants and 78 worldwide subsidiaries. The company's European headquarters -- two of them, one in Alba, Italy and the other in Luxembourg - oversees the operations of 33,000+ employees and more than 7500 external collaborators. The company is active in all aspects of its value chain, which begins with the raw ingredients. That end-to-end view includes procurement and quality control through ownership of hazelnut plantations. It closely guards some of the recipes for its raw ingredients. Plant locations were intentionally placed near the reference markets. The company is involved in its own machine redesign and has an engineering staff to support that. It handles its own packaging and logistics. It has active control over its Internet-based operations and several supporting activities like marketing.

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Ferrero Group is the world's fourth-largest confectionery company, with operations in 53 countries, 22 manufacturing plants, and 78 worldwide subsidiaries.

The company's European headquarters are located in Alba, Italy, and Luxembourg.

It oversees the work of over 33,000 employees and more than 7500 external collaborators.

Ferrero is involved in all aspects of its value chain, including procurement, quality control, and ownership of hazelnut plantations.

It closely guards the recipes for its raw ingredients. Plant locations are strategically placed near the reference markets.

The company also handles its own machine redesign, packaging, logistics, and has active control over its Internet-based operations and marketing activities.

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Additional information for adjusting entries: 1. On July 31, the company had performed $880 of services for a client that it had not billed or recorded, 2. Record rent expense this month. The current balance in Prepsid Rent represents 2 months of rent. 3. Supplies on hand on July 31 were $580, 4. Unrecorded monthly depreciation is $251. 5. Interest is due on the note payable on the first day of each following month, beginning August 1 . Interest for July is $2. 6. As of July 31, the company owed $2,580 of salaries and wages to its employees for the monthjust ended. 7. During luly, the company satisfied \$2.080 worth of services related to amounts that had previously been recorded as Unearned Service Revenue. This revenue has not yet been recorded. adented when the amsunt is eritered. Do res inderit manuelly

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The journal entry would be:

Unearned Service Revenue - $2,080

Service Revenue + $2,080

enter these adjusting entries before preparing the financial statements.

1. The first adjusting entry is for $880 of services performed for a client that have not been billed or recorded yet. To record this, we need to recognize the revenue earned and the corresponding accounts receivable.

The journal entry would be:

Accounts Receivable +$880

Service Revenue +$880

2. The second adjusting entry is to record the rent expense for the month. The current balance in the prepaid rent account represents 2 months of rent. To record this, we need to recognize the rent expense and decrease the prepaid rent account.

The journal entry would be:

Rent Expense + (amount for this month)

Prepaid Rent - (amount for this month)

3. The third adjusting entry is to account for the supplies on hand on July 31, which have a value of $580. To record this, we need to increase the supplies expense and decrease the supplies on hand.

The journal entry would be:

Supplies Expense +$580

Supplies on Hand - $580

4. The fourth adjusting entry is to account for the monthly depreciation of $251 that has not been recorded yet. To record this, we need to increase the depreciation expense and accumulate the depreciation for the period.

The journal entry would be:

Depreciation Expense +$251

Accumulated Depreciation +$251

5. The fifth adjusting entry is to record the interest expense on the note payable. The interest for July is $2. To record this, we need to increase the interest expense and the interest payable.

The journal entry would be:

Interest Expense +$2

Interest Payable +$2

6. The sixth adjusting entry is to account for the salaries and wages owed to employees for the month. As of July 31, the company owed $2,580. To record this, we need to increase the salaries and wages expense and the salaries and wages payable.

The journal entry would be:

Salaries and Wages Expense +$2,580

Salaries and Wages Payable +$2,580

7. The seventh adjusting entry is to recognize the revenue earned from satisfying $2,080 worth of services that were previously recorded as Unearned Service Revenue. To record this, we need to decrease the unearned service revenue and increase the service revenue.

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The amount due is $ (Round to the nearest hundredth.) What is the total price of a boat with an original price of $11889, if it is sold at a 15% discount? The sales tax rate is 6
4
1

%. The price of the boat is $ (Round to the nearest cent.) College students are offered a 8% discount on a textbook that sells for $34.50. If the sales tax is 8%, find the cost of the textbook including the sales tax. The textbook costs $ (Type an integer or a decimal. Round to the nearest cent.)

Answers

The cost of the textbook, including sales tax, rounded to the nearest cent, is $34.28.

To calculate the total price of a boat with an original price of $11,889, given a 15% discount and a sales tax rate of 641%, you can follow these steps:

1. Calculate the discount amount:

  Discount = Original price * Discount rate

  Discount = $11,889 * 0.15

  Discount = $1,783.35

2. Calculate the discounted price:

  Discounted price = Original price - Discount

  Discounted price = $11,889 - $1,783.35

  Discounted price = $10,105.65

3. Calculate the sales tax amount:

  Sales tax = Discounted price * Sales tax rate

  Sales tax = $10,105.65 * (641/100)

  Sales tax = $64,741.97

4. Calculate the total price:

  Total price = Discounted price + Sales tax

  Total price = $10,105.65 + $64,741.97

  Total price = $74,847.62

Therefore, the total price of the boat, rounded to the nearest hundredth, is $74,847.62.

For the cost of the textbook, including an 8% sales tax and an 8% student discount, follow these steps:

1. Calculate the discount amount:

  Discount = Textbook price * Discount rate

  Discount = $34.50 * 0.08

  Discount = $2.76

2. Calculate the discounted price:

  Discounted price = Textbook price - Discount

  Discounted price = $34.50 - $2.76

  Discounted price = $31.74

3. Calculate the sales tax amount:

  Sales tax = Discounted price * Sales tax rate

  Sales tax = $31.74 * (8/100)

  Sales tax = $2.54

4. Calculate the total cost:

  Total cost = Discounted price + Sales tax

  Total cost = $31.74 + $2.54

  Total cost = $34.28

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(Present value of a complex stream) Don Draper has signed a contract that will pay him $80,000 at the end of each year for the next 6 years, plus an additional $100,000 at the end of year 6 . If 8 percent is the appropriate discount rate, what is the present value of this contract? The present value of the contract is: (Round to the nearest cent.)

Answers

The present value of the contract is $495,739. This is calculated by discounting the future cash flows back to the present using the discount rate of 8%. The first six cash flows are each $80,000, and the final cash flow is $100,000. The present value of the contract is:

Present Value = $80,000/(1 + 0.08)^1 + $80,000/(1 + 0.08)^2 + ... + $80,000/(1 + 0.08)^6 + $100,000/(1 + 0.08)^6 = $495,739

The present value of the contract is higher than the sum of the individual cash flows because the discount rate is applied to each cash flow. This means that the value of the future cash flows is reduced, but the present value of the contract is still greater than the sum of the individual cash flows.

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Draw the demand curve and the supply curve for a market in which the equilibrium price is negative. (Hint: Reread the discussion-Letting the Data Speak of the crude oil market in Cushing, Oklahoma, on April 20, 2020.) a 1.) Using the line drawing tool, draw the market demand curve for oil. Label the line 'D₁'- 20 2.) Using the line drawing tool, draw the market supply curve for oil. Label the line 'S₁'- 3.) Using the point drawing tool, indicate the equilibrium in the oil market that results in a negative price per barrel of oil. Label the point 'E₁'. Carefully follow the instructions above and only draw the required objects. Question 2, Text Problem 15 50- 40- 30- 20- 10- 0- -10- -20- -30- -40- -50- HW Score: 18.75%, 3 of 16 points O Points: 0 of 1 Price per barrel ($) ½ 4 6 8 Quantity (billions of barrels of oil) 10 O Save

Answers

To draw the demand and supply curves for a market with a negative equilibrium price, we need to understand the concept of equilibrium first. Equilibrium occurs when the quantity demanded by consumers equals the quantity supplied by producers, resulting in a stable market price.

1. The demand curve represents the relationship between the price of a good and the quantity consumers are willing to purchase. In this case, since the equilibrium price is negative, we need to consider the reasons why consumers would be willing to pay for a good with a negative price. One possibility could be that consumers are being paid to take the good, such as in the case of excess supply or an undesirable product.

2. The supply curve represents the relationship between the price of a good and the quantity producers are willing to supply. In this case, with a negative equilibrium price, producers would not be willing to supply the good at all, as it would result in losses for them. Therefore, the supply curve would be vertical at a quantity of zero.

3. Since the demand curve is horizontal and the supply curve is vertical, there is no intersection or equilibrium point between them. Thus, there is no point 'E₁' to indicate an equilibrium in the oil market with a negative price per barrel of oil.

In summary, drawing the demand and supply curves for a market with a negative equilibrium price involves a horizontal demand curve at the negative price and a vertical supply curve at a quantity of zero. However, since there is no equilibrium point in this scenario, there is no 'E₁' point to indicate the equilibrium.

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Aleeta would like to reward customers with a coupon to celebrate the upcoming Customer Appreciation Day. There are three different coupons and each customer will receive one of them. On the CustomerAnalysis worksheet, in cell G4, enter a Nested IF function that will retum values based on the following: If a customer is a club member and has been deemed a high value customer based on their last transaction, she would like them to get 20% off. If they are not a member but are still deemed a high value customer, she would like them to get 15% off. All other customers will receive a 10% off coupon. Rather than type in the values, reference the appropriate cells in 14:16 for the values. Use the fill handle to copy the formula down through G16. Aleeta would like to reward certain customers with a prize based on the total amount spent and total quantity of items purchased. On the Transactions worksheet, in cell C33, use the LET function to add clarity to a formula that evaluates each customer's total amount spent and total quantity of items purchased, using the sample transaction data provided, and returns Prize if they meet both criteria identified in cells E33:F33. If a customer doesn't meet the criteria, return a blank ("'"). Use the following variable names in the function: TotalSpent and TotalQty. Best Customer (most amount spent) Transaction Analysis

Answers

For the CustomerAnalysis worksheet, in cell G4, use the following formula: [tex]=IF(AND(B4="Yes", D4 > $O$14), $O$16, IF(D4 > $O$14, $O$15, $O$13))[/tex].

For the Transactions worksheet, in cell C33, use the following formula: [tex]=IF(AND(SUM('Transactions'!D2:D30) > E33,\\ SUM('Transactions'!E2:E30) > F33), "Prize", "")[/tex].

To achieve the desired functionality, you can use nested IF functions in Excel to assign the appropriate coupons on the CustomerAnalysis worksheet. Here's an example of how you can construct the formula in cell G4:

[tex]=IF(B4="Yes", IF(D4 > $O$14, $O$16, $O$15), $O$13)[/tex]

Let's break down the formula:

- `B4="Yes"` checks if the customer is a club member. If true, the formula proceeds to the nested IF statement.

- [tex]`D4 > $O$14`[/tex] checks if the customer's last transaction value (in cell D4) is greater than the high value threshold (in cell O14). If true, the customer is assigned the 20% off coupon (cell O16). If false, they receive the 15% off coupon (cell O15).

- If the customer is not a club member (B4="No"), the formula assigns the 10% off coupon (cell O13).

To apply this formula to cells G5:G16, you can use the fill handle. Simply click and drag the fill handle (a small square at the bottom-right corner of the selected cell) down to copy the formula to the desired range.

For the second part of your question, to evaluate each customer's total amount spent and total quantity of items purchased on the Transactions worksheet, you can use the LET function for clarity. In cell C33, you can enter the following formula:

[tex]=LET(TotalSpent, SUM(D2:D30), TotalQty, SUM(E2:E30), IF(AND(TotalSpent > E33, TotalQty > F33), "Prize", ""))[/tex]

This formula calculates the sum of the transaction amounts in the range D2:D30 and assigns it to the variable `TotalSpent`. It also calculates the sum of the quantities in the range E2:E30 and assigns it to the variable `TotalQty`.

The IF function then checks if both `TotalSpent` and `TotalQty` exceed the criteria specified in cells E33 and F33, respectively. If true, it returns "Prize". Otherwise, it returns a blank ("").

Remember to adjust the ranges D2:D30 and E2:E30 according to your actual transaction data.

These formulas should help you accomplish the desired tasks in Excel.

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A+33%+trade+discount+on+a+camera+represents+a+discount+of+$204.60+from+the+suggested+retail+price.+what+is+the+net+price+to+the+buyer?

Answers

Net price to the buyer is $348.4.

Given,

Retail price = Discount / discount rate

=$171.60/0.33    

= $520

Net Price = Retail price - discount

=$520-171.60    

= $348.4

Consumers pay the retail price for the final product when it is sold. These clients buy the product for their own use rather than to resell it. When a merchant sets a price, their primary goal is to maximise profit while also determining what the market will bear.

The value that a good or service is sold for after all taxes and other expenses are applied and all discounts are deducted is known as the net price.

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According to Adam Smith, when we pursue our self interest, we are led by an invisible hand to promote the interest of
multinational corporations

the social interest

the government - interest

the interest of few individuals

Answers

According to Adam Smith, when we pursue our self-interest, we are led by an invisible hand to promote the social interest. Adam Smith, a famous economist and philosopher, introduced the concept of the invisible hand in his book "The Wealth of Nations." He argued that individuals.

Driven by their own self-interest, contribute to the overall welfare of society. The invisible hand refers to the market mechanism that guides individuals' pursuit of their self-interest to inadvertently benefit society as a whole. It ensures that resources are allocated efficiently, prices are determined fairly, and competition is encouraged.

In this context, the pursuit of self-interest by individuals, such as consumers and businesses, leads to the promotion of the social interest. This means that while individuals seek to maximize their own well-being, they unintentionally contribute to the well-being of the broader community.

Therefore, according to Adam Smith, pursuing our self-interest ultimately benefits society as a whole.

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What has happened to US GDP in the first and second quarters of 2022 (include data)? What are the forecasts for the second half of 2022 US GDP? Please include data Provide at least half a page of information. Require research, so include your research sources at the end of the answer.

Answers

The U.S. GDP experienced positive growth in the first and second quarters of 2022. However, without specific data, it is challenging to provide detailed information on the exact growth rates.

Forecasts for the second half of 2022 US GDP are not available due to the knowledge cutoff of September 2021.

To provide accurate information on the GDP performance in the first and second quarters of 2022 and forecasts for the second half, up-to-date data and analysis are necessary. As my knowledge cutoff is in September 2021, I don't have access to the specific GDP figures and forecasts for that period.

To obtain the latest information on U.S. GDP, it is recommended to refer to reputable sources such as the Bureau of Economic Analysis (BEA), International Monetary Fund (IMF), or Federal Reserve.

The decrease in real GDP in the first quarter was primarily caused by a decrease in consumer spending, which was mostly influenced by a decrease in spending on products. Businesses also decreased investment, and the export sector contributed to the decline.

There was, however, an increase in nonresidential fixed investment, state and local government spending, and residential investment. In the second quarter of 2022, real GDP increased by 6.5 percent. Personal spending, non-residential fixed investment, exports, and state and local government spending were the primary drivers of growth, whereas imports and private inventory investment detracted from it.

Due to the lack of specific data and current forecasts, I am unable to provide detailed information on the U.S. GDP performance in the first and second quarters of 2022 or the forecasts for the second half. To obtain the most accurate and up-to-date information, it is advisable to consult official sources like the BEA, IMF, or Federal Reserve.

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You need to make annual withdrawals of $19,000 at the end of each year for the next 12 years. How much money must you have in the account today? The account pays 2.5% interest. Round to the nearest dollar.

Answers

To calculate the amount of money you must have in the account today, use the present value formula for an annuity. With annual withdrawals of $19,000 for 12 years and a 2.5% interest rate, you need approximately $201,115.

To calculate the amount of money needed in the account today, the present value formula for an annuity is used. The formula is PV = PMT * (1 - (1 + r)^(-n)) / r, where PV represents the present value, PMT is the annual withdrawal amount of $19,000, r is the interest rate of 2.5% (0.025 as a decimal), and n is the number of years, which is 12 in this case.

By substituting the values into the formula, the calculation is as follows:

PV = $19,000 * (1 - (1 + 0.025)^(-12)) / 0.025

Solving this equation yields an approximate value of $201,115. Therefore, to meet the requirements of annual withdrawals of $19,000 for the next 12 years, approximately $201,115 must be in the account today.

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Answer the following as true or false, then select the correct corresponding multiple-choice answer. Interest revenue is included in operating revenue on a multi-step income statement. A statement of stockholders' equity does not include changes in retained earnings. A company that is determined to have good customer service will include goodwill on their balance sheet equal to their auditors recommendation of a dollar amount associated with this gooc service. False, False, False False, True, True True, False, True True, True, True

Answers

A statement of stockholders' equity does include changes in retained earnings because it is a part of stockholders' equity.The correct answer is: False, True, False

Interest revenue is not included in operating revenue on a multi-step income statement, it is usually reported as other income or non-operating income.A statement of stockholders' equity does include changes in retained earnings because it is a part of stockholders' equity. A company that is determined to have good customer service may develop goodwill, but it is not necessarily equal to their auditor's recommendation of a dollar amount associated with this service. Goodwill is typically calculated when one company acquires another company at a price greater than its book value. This is the excess price paid over the company's assets and liabilities.

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these are cash inflows and outflows associated with buying and selling of fixed or other long-term assets. select one: a. cash flows from investing activities b. net change in cash and cash equivalents c. cash flows from operations d. cash flows from financing activities

Answers

The cash inflows and outflows associated with buying and selling fixed or other long-term assets are categorized as "cash flows from investing activities."  Option A.

Cash flows from investing activities refer to the cash transactions related to the acquisition or disposal of long-term assets such as property, plant, and equipment, as well as investments in other companies or securities. These activities represent the capital expenditures and investments made by a company in order to grow or optimize its operations.

When a company purchases fixed assets or makes long-term investments, it typically involves a cash outflow. This includes payments made to acquire property, plant, equipment, or investments in other entities. On the other hand, when a company sells these assets, it generates cash inflows.

The cash flows from investing activities section of a statement of cash flows provides information about the cash spent on acquiring new assets and the cash received from selling or disposing of existing assets. This section helps stakeholders understand the company's investment activities and assess its ability to generate future income.

In summary, cash flows from investing activities encompass the cash inflows and outflows associated with the buying and selling of fixed or other long-term assets, providing insights into a company's investment strategies and capital allocation decisions. So Option A is correct.

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Jack lives and works in a communist country. Which of the following statements is true about a communist economy?

Group of answer choices

It is characterized by the people (through the government) owning and operating most businesses.

It relies on supply and demand to make decisions about pricing and production of goods.

It encourages private ownership of the means of production.

It encourages free market and competition.

It provides scope for the production of a large variety of goods and services.

Answers

Jack lives and works in a communist country. The following statement is true about a communist economy: It is characterized by the people (through the government) owning and operating most businesses. A communist economy is a type of economy in which the government owns and operates the majority of the businesses.

It is characterized by a lack of free enterprise and private property rights. In a communist system, the government controls the means of production, and all resources are allocated according to the needs of the community. The goal of communism is to provide equal distribution of wealth, eliminate social classes and promote social equality.

The government decides what is produced and how much, how it is produced, and who receives the final product. This is done to eliminate exploitation and to ensure that everyone has equal access to the goods and services provided by the economy. The government can sometimes use this to control the citizens of the country and suppress dissenting views.

In conclusion, the statement that is true about a communist economy is that it is characterized by the people (through the government) owning and operating most businesses.

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Your state constitution almost certainly contains an education clause. What does the clause say? How might it be used (or how has it already been used) to challenge the system of financing local schools? On what basis does your state distribute assistance to local schools? - The state I live in is South Carolina.

Answers

The education clause in the South Carolina state constitution can be found in Article XI, Section 3. It states:

"The General Assembly shall provide for the maintenance and support of a system of free public schools open to all children in the State and shall establish, organize and support such other public institutions of learning as may be desirable."

This clause emphasizes the state's responsibility to ensure the availability and support of a system of free public schools for all children in South Carolina. It recognizes education as a fundamental right and places the obligation on the General Assembly to provide for and maintain such a system.

In South Carolina, the education clause has been used to challenge the system of financing local schools. Lawsuits, such as the landmark case Abbeville County School District v. State of South Carolina, argued that the state's funding formula resulted in unequal educational opportunities for students in different districts, violating the education clause. The plaintiffs contended that the reliance on local property taxes to fund schools led to significant disparities in funding and resources between wealthier and poorer districts.

As for the distribution of assistance to local schools in South Carolina, the state uses a formula known as the Education Finance Act (EFA). The EFA is designed to provide a foundation level of funding for each student in the state, aiming to equalize educational opportunities across districts. The formula takes into account factors such as student enrollment, district wealth, and local tax efforts to determine the state's financial assistance to each school district.

Despite efforts to address funding disparities, challenges persist in achieving true equity in education funding in South Carolina and other states. Ongoing discussions and potential revisions to the funding formula continue to address the goal of providing equal educational opportunities for all students in the state.

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Alexis chose armand plumbing for her remodel. she had noticed the better business bureau logo on the website, and it probably worked to limit her perceived ______.

Answers

Alexis chose Armand Plumbing for her remodel because she noticed the Better Business Bureau logo on their website, and it likely worked to limit her perceived risk.

An organization's reputation and its objective assessments of businesses can be represented by the BBB logo. By noticing the BBB logo, Armand Plumbing says that they have met some criteria for customer satisfaction.

The risk can be reduced for the consumers by displaying the logo and it alternatively gives a good impression of the products they produce. This made Alexis trust Armand Plumbing, making her more confident in choosing her decision for her remodel.

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Please select all of the answers that are considered disadvantages of ABC: Cost to implement ABC ABC can provide more accurate overhead cost allocation Cost Distortion can still exist, even with ABC

Answers

The main answer is: Cost to implement ABC. One of the disadvantages of Activity-Based Costing (ABC) is the cost associated with implementing it.

While ABC is known for providing more accurate overhead cost allocation compared to traditional costing methods, it is not without its limitations. Despite the increased accuracy, cost distortion can still exist even with ABC. Cost distortion refers to situations where the allocation of costs to different activities or products does not accurately reflect their actual consumption or usage. This can happen if the cost drivers selected for allocation do not capture the true relationship between costs and activities.

Cost distortion can occur due to several reasons. First, if the selection of cost drivers is not carefully chosen or if inaccurate data is used, it can lead to distorted cost allocations. Additionally, ABC relies heavily on estimates and assumptions, and any inaccuracies in these estimates can also result in cost distortions. Moreover, ABC may introduce complexity and subjectivity into the cost allocation process, which can increase the chances of errors or biases.

It is important to note that while ABC can improve cost allocation accuracy, it is not a foolproof method. Organizations need to carefully design and implement ABC systems, regularly review and update the cost drivers and allocation methodology, and ensure that the data used is accurate and reliable to minimize the risk of cost distortion.

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Your grandparents put $11,400 into an account so that you would have spending money in college. You put the money into an account that will earn an APR of 4.43 percent compounded. If you expect that you will be in college for 4 years, how much can you withdraw each month? $27258 $258.65 $264.37 $259.60 $250.95

Answers

If you expect that you will be in college for 4 years you can withdraw approximately $283.52 each month.

To calculate the amount you can withdraw each month, we need to use the formula for compound interest:

[tex]A = P(1 + r/n)^(nt)[/tex]

Where:
A = the future value of the investment
P = the principal amount (initial deposit)
r = annual interest rate (in decimal form)
n = number of times the interest is compounded per year
t = number of years

In this case:
P = $11,400
r = 4.43% (or 0.0443 as a decimal)
n = 12 (compounded monthly)
t = 4 years

Now, let's calculate the future value of the investment:

A = 11,400(1 + 0.0443/12)^(12*4)

A ≈ 11,400(1.00369167)^(48)
A ≈ 11,400(1.19471251)
A ≈ $13,588.96

To determine the monthly withdrawal amount, we divide the future value by the number of months in 4 years (48 months):

Monthly withdrawal amount = $13,588.96 / 48

Monthly withdrawal amount ≈ $283.52

Therefore, you can withdraw approximately $283.52 each month.

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When you are given an important new task at work, which of the following are you MOST likely to do? Ask my manager how I should complete the task. Start working on the task right away. Start working on it in between my other tasks. Make a plan for completing the task. Question When we ask your most recent manager, how will they describe your ability to make good progress on your work when there are a lot of distractions? Somewhat lower than others About the same as others Somewhat higher than others Much higher than others This would be my first job.

Answers

When given an important new task at work, you might ask your manager how to complete it: This shows a proactive approach in seeking guidance and clarification to ensure you understand the task requirements and expectations.

You might start working on the task right away: This indicates a proactive and independent approach, where you prefer to take immediate action and utilize your own problem-solving skills without seeking extensive guidance.
Starting the task in between other tasks: This suggests a multitasking approach, where you prioritize and allocate time to work on the new task while also managing your existing workload. This can be effective if you can effectively manage and prioritize your tasks.
Making a plan for completing the task: This shows a methodical and organized approach, where you prefer to outline the steps, set goals, and create a roadmap to ensure a structured and efficient execution of the task.
Regarding your ability to make good progress on work when there are distractions, since this would be your first job, it is not possible to assess your performance in that specific context. However, it is important to recognize the value of focus, time management, and adaptability in order to maintain productivity in a work environment with potential distractions.

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A dominated alternative

A) has a worse payoff for every state-of-nature than at least one other alternative

B) is discarded from the analysis and is not considered any further

C) is not included in the rankings of the rules

D) All of the above

Answers

A dominated alternative has a worse payoff for every state-of-nature, is discarded from analysis, and is not included in the rankings of the rules. The correct answer is D)

A dominated alternative is an option in decision-making that has a worse payoff for every state-of-nature compared to at least one other alternative. In other words, it is always inferior regardless of the outcome.

When analyzing decision alternatives, a dominated alternative is discarded from the analysis and not considered further. This is because there are always better alternatives available, making the dominated one irrelevant.

Furthermore, a dominated alternative is not included in the rankings of the rules. It is disregarded due to its inferiority.

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Allied Biscuit Co. is expected to generate a free cash flow (FCF) of $330.00 million this year (FCF₁ = $330.00 million), and the FCF is expected to grow at a rate of 21.40% over the following two years (FCF₂ and FCF₃). After the third year, however, the FCF is expected to grow at a constant rate of 2.82% per year, which will last forever (FCF₄). Assume the firm has no nonoperating assets. If Allied Biscuit Co.’s weighted average cost of capital (WACC) is 8.46%, what is the current total firm value of Allied Biscuit Co.? (Note: Round all intermediate calculations to two decimal places.)

$1,026.01 million

$9,892.50 million

$7,975.34 million

$9,570.41 million

Allied Biscuit Co.’s debt has a market value of $5,982 million, and Allied Biscuit Co. has no preferred stock. If Allied Biscuit Co. has 150 million shares of common stock outstanding, what is Allied Biscuit Co.’s estimated intrinsic value per share of common stock? (Note: Round all intermediate calculations to two decimal places.)

$14.62

$13.29

$39.88

$12.29

Answers

1.The current total firm value of Allied Biscuit Co. is $6,983.20 million, which is not provided in the given options  And Estimated Intrinsic Value per Share is  Total Firm Value / Number of Shares is $46.5.

2. $46.55 is Allied Biscuit Co.’s estimated intrinsic value per share of common stock

Exp:

To calculate the current total firm value of Allied Biscuit Co., we need to calculate the present value of the expected future free cash flows and the present value of the terminal value.

Step 1: Calculate the present value of FCF₁, FCF₂, and FCF₃.

PV₁ = FCF₁ / (1 + WACC)¹

PV₂ = FCF₂ / (1 + WACC)²

PV₃ = FCF₃ / (1 + WACC)³

Step 2: Calculate the present value of the terminal value (TV).

TV = FCF₃ * (1 + g) / (WACC - g) / (1 + WACC)³

Step 3: Calculate the total firm value.

Total Firm Value = PV₁ + PV₂ + PV₃ + TV

Using the given values:

FCF₁ = $330.00 million

Growth rate for FCF₂ and FCF₃ = 21.40%

Growth rate for FCF₄ (terminal growth rate) = 2.82%

WACC = 8.46%

Calculating each component:

PV₁ = $330.00 million / (1 + 8.46%)¹ = $303.75 million

PV₂ = $330.00 million * (1 + 21.40%) / (1 + 8.46%)² = $343.78 million

PV₃ = $330.00 million * (1 + 21.40%)² / (1 + 8.46%)³ = $387.78 million

TV = $330.00 million * (1 + 2.82%) / (8.46% - 2.82%) / (1 + 8.46%)³ = $5,947.89 million

Total Firm Value = $303.75 million + $343.78 million + $387.78 million + $5,947.89 million = $6,983.20 million

Therefore, the current total firm value of Allied Biscuit Co. is $6,983.20 million, which is not provided in the given options.

For the second part of the question, to calculate the estimated intrinsic value per share of common stock, we divide the total firm value by the number of shares outstanding.

Estimated Intrinsic Value per Share = Total Firm Value / Number of Shares

= $6,983.20 million / 150 million shares

= $46.55

The closest option to the calculated value is $46.55, which is not provided in the given options.

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Question-

1. Allied Biscuit Co. is expected to generate a free cash flow (FCF) of $330.00 million this year (FCF₁ = $330.00 million), and the FCF is expected to grow at a rate of 21.40% over the following two years (FCF₂ and FCF₃). After the third year, however, the FCF is expected to grow at a constant rate of 2.82% per year, which will last forever (FCF₄). Assume the firm has no nonoperating assets. If Allied Biscuit Co.’s weighted average cost of capital (WACC) is 8.46%,

what is the current total firm value of Allied Biscuit Co.? (Note: Round all intermediate calculations to two decimal places.)

a) $1,026.01 million

b) $9,892.50 million

c) $7,975.34 million

d) $9,570.41 million

2.Allied Biscuit Co.’s debt has a market value of $5,982 million, and Allied Biscuit Co. has no preferred stock. If Allied Biscuit Co. has 150 million shares of common stock outstanding,

what is Allied Biscuit Co.’s estimated intrinsic value per share of common stock? (Note: Round all intermediate calculations to two decimal places.)

a) $14.62

b) $13.29

c) $39.88

d) $12.29

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The Indian Ocean ranks as the ocean basin. a. largest b. second largest c. third largest d. fourth largest 14. Scroll up to the map and click on "View Larger." The Indian Ocean is located mostly in the Hemisphere. a. Northern b. Southern 15. Go to Link 1 B10 for the Pacific Ocean then scroll down to Background. The Pacific Ocean is the ocean basin. Scroll down to Area - comparative. The Pacific (North and South) covers 28% of Earth's surface, essentially equal to our planet's total land surface area. a. smallest b. second smallest c. second largest d. largest 16. Go to Link 1B-11 for the Southern Ocean and scroll down to the Background section. Extending from Antarctica to 60 S latitude, the Southern Ocean is the largest of the five ocean basins. The northern boundary of the Southern Ocean is also the southern boundaries of the Atlantic, Indian, and Pacific Oceans. a. first b. second c. third d. fourth The Southern Ocean is not universally recognized but we consider it an ocean basin Nielsen primarily gathers data from __________ to help companies with strategic marketing decisions. Big Data Marketing Information Systems Internal Databases Competitive Marketing Intelligence Customers i. USING A CONCEPTUAL FRAMEWORK ILLUSTRATE THE difference OT THE RELATIONSHIP between the dependent variable and the independent variable AND ANTECEDENT variable? 10MKSii. DISCUSS ethical CONSIDERATIONS THAT should be considered when conducting a research? 10MKSiii. Validity and reliability reflect the quality of the research design and its administration. Human error enters at all steps of the measurement process. State and explain the Types of Errors That Affect Validity and Reliability (5 marks) iv. Discuss the THREE and their procedure used to assess reliability OF A STUDY 5mks At the end of 2017 , Apple had cash and short-term investments of $73.69 billion, accounts receivable of $18.22 billion, current assets of $128.26 billion, and current liabilities of $100.86 billion. a. What was Apple's current ratio? b. What was Apple's quick ratio? c. What was Apple's cash ratio? d. At the end of 2017, HPQ had a cash ratio of 0.27, a quick ratio of 0.56 and a current ratio of 0.96. What can you say about the asset liquidity of Apple relative to HPQ? a. What was Apple's current ratio? The current ratio is (Round to two decimal places.) b. What was Apple's quick ratio? The quick ratio is (Round to two decimal places.) c. What was Apple's cash ratio? The cash ratio is (Round to two decimal places.) d. At the end of 2017, HPQ had a quick ratio of 0.56 and a current ratio of 0.96. What can you say about the asset liquidity of Apple relative to HPQ? (Select from the drop-down menus.) generally has more liquid assets than relative to current liabilities. 1. Why Data gathering is significant in Research? 2. What is the best part of Data gathering in Research? The nurse suspects that a client has an infection of the lower leg. what skin assessment finding caused the nurse to make this clinical determination?